Saturday, May 23, 2009

*** LIC's NAV'S AS ON DATE 21.05.2009...........

MONEY PLUS (180)

BOND FUND
10
12.6851
12.6851
12.6851
SECURED FUND
10
11.8257
11.8257
11.8257
BALANCED FUND
10
11.4457
11.4457
11.4457
GROWTH FUND
10
9.8927
9.8927
9.8927

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